Who We Are: AXA LM Fund Management

AXA LM Fund Management was established with a clear mandate: to build a world-class investment platform that serves the long-term financial goals of institutions, insurers, pension funds and individual investors across the globe. Over the years, we have grown into one of Europe's foremost asset managers, combining breadth of capability with depth of expertise that few organisations can match. Our heritage is rooted in disciplined investment thinking, and we have never deviated from the belief that rigorous research and transparent client relationships are the twin foundations of sustainable performance. Today we manage more than €1.6 trillion in assets across liquid and alternative markets, operating in 35 countries through a combination of wholly owned offices and carefully selected joint ventures. We have been integrating sustainability criteria into our investment processes for over two decades — not as a marketing exercise, but because we believe that long-term value creation and responsible stewardship of capital are inseparable. Our investment approach is organised around four megatrends that we believe will define global markets for the coming decades: the energy transition and broader environmental shift, the acceleration of technological innovation, the realignment of geopolitical power, and the demographic changes reshaping consumption and savings patterns worldwide. We operate the most diversified investment platform at scale in Europe, spanning equities, fixed income, multi-asset, ETFs, private equity, infrastructure, real estate and hedge strategies. This diversity allows us to construct genuinely bespoke solutions for clients rather than adapting standard products to fit imperfect needs. Our culture prizes intellectual honesty, collegial debate and the courage to act on conviction even when it runs counter to consensus. We measure ourselves not by assets gathered but by the quality of outcomes we deliver for every client who trusts us with their capital.